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Trading Economics: New Theory for Trading System Evolution

Posted By: AvaxGenius
Trading Economics: New Theory for Trading System Evolution

Trading Economics: New Theory for Trading System Evolution by Zhenying Wang
English | PDF EPUB (True) | 2024 | 603 Pages | ISBN : 9819998743 | 27 MB

This book reconstructs the theoretical framework of economics by examining the concept of trading, the trading network, and the evolution of a trading system, tied together by the notion of “bounded rationality.” Trading economics uproots the theoretical paradigm of mainstream economics and enables timeworn economic thinking to deal with the various complex phenomena of the modern economy.

Deflation and Fiscal Deficits: Three Questions About Japanese Economic Policy

Posted By: AvaxGenius
Deflation and Fiscal Deficits: Three Questions About Japanese Economic Policy

Deflation and Fiscal Deficits: Three Questions About Japanese Economic Policy by Yoshikiyo Sakai
English | PDF EPUB (True) | 2024 | 77 Pages | ISBN : 9819704146 | 6 MB

In this study on the Japanese economy, the author focuses on three problems related to economic policy and presents their answers. The author analyzes (i) what mechanisms exist for fiscal policy and the price level, (ii) whether the MMT proposition that public deficits increase people’s wealth and savings fits into the standard macro model, and (iii) whether Blanchard's assertion that fiscal deficits are net wealth in the US economy can be applied to Japanese economy as well. The propositions of Sims’ FTPL, Kelton's MMT, Japan's Ricardian type argument, and the non-Ricardian type of government by Blanchard have been understood as independent economic perceptions, but they will be theoretically shown as a coherent story. Namely, this study presents a macroeconomic framework that includes the financial sector and derives Sims’ proposition that “fiscal policy can be the sole determinant of the price level.” It also shows that MMT's claim that "budget deficits increase our wealth and collective savings" can inevitably hold within this framework. Furthermore, it presents a model that consistently explains that public debt leads to financial collapse but contributes to economic welfare.

Environmental Technology Innovation and ESG Investment: In the Asia-Pacific Region

Posted By: AvaxGenius
Environmental Technology Innovation and ESG Investment: In the Asia-Pacific Region

Environmental Technology Innovation and ESG Investment: In the Asia-Pacific Region by Sumiko Takaoka
English | PDF EPUB (True) | 2024 | 140 Pages | ISBN : 9819997674 | 23.4 MB

This book focuses on environmental technology and financial markets of the Asia-Pacific region, which includes traditional and emerging innovative countries such as Japan, China, and South Korea. The research and its outcomes presented here are devoted to the nexus between innovation in environment-related technologies, finance, and environmental, social, and governance (ESG) issues. A promising means of achieving a sustainable society is to accelerate innovation in environmental technologies. Chapters of this book tackle some important issues. Using the data on environmental innovation creation and financial markets, the contributors identify three scopes in which ESG performance forms how investors evaluate corporate performance against climate-related risk in the Asia-Pacific capital markets (e.g., corporate bond and credit default swaps); how lenders allocate their credits according to carbon emissions in Japan; and what determines environmental technology creation and how it affects environmental improvement at a country-level. This book thus provides insights into the nexus between innovation in environment-related technologies, finance, and ESG.

Analytical Corporate Valuation: Fundamental Analysis, Asset Pricing, and Company Valuation

Posted By: AvaxGenius
Analytical Corporate Valuation: Fundamental Analysis, Asset Pricing, and Company Valuation

Analytical Corporate Valuation: Fundamental Analysis, Asset Pricing, and Company Valuation by Pasquale De Luca
English | EPUB (True) | 2018 | 470 Pages | ISBN : 331993550X | 18.2 MB

This book integrates the models employed in the fundamental analysis of a company with the models used by investors in the capital markets to diversify risks and maximize expected returns. The underlying thesis is that the company creates value only if the return on capital invested exceeds the cost of capital, while the objective is to demonstrate how integration of the fields of corporate finance and asset pricing enables comprehensive and accurate company valuation.

The Regulation of the London Clearing Banks, 1946–1971: Stability and Compliance (Repost)

Posted By: AvaxGenius
The Regulation of the London Clearing Banks, 1946–1971: Stability and Compliance (Repost)

The Regulation of the London Clearing Banks, 1946–1971: Stability and Compliance by Linda Arch
English | EPUB (True) | 2018 | 138 Pages | ISBN : 3030009092 | 1.7 MB

This book explores the way in which banks were regulated in the UK in the period from 1946 until 1971. It focuses upon a group of 11 banks known as the London clearing banks. These banks included the ‘Big Five’ – Barclays, Lloyds, Midland, National Provincial and Westminster – and were the equivalent to today’s retail banks.

Mathematical Research for Blockchain Economy

Posted By: AvaxGenius
Mathematical Research for Blockchain Economy

Mathematical Research for Blockchain Economy: 4th International Conference MARBLE 2023, London, United Kingdom by Panos Pardalos, Ilias Kotsireas, William J. Knottenbelt, Stefanos Leonardos
English | PDF EPUB (True) | 2023 | 193 Pages | ISBN : 3031487303 | 32.5 MB

This book presents the best papers from the 4th International Conference on Mathematical Research for Blockchain Economy (MARBLE) 2023, held in London, UK. While most blockchain conferences and forums are dedicated to business applications, product development, or Initial Coin Offering (ICO) launches, this conference focused on the mathematics behind blockchain to bridge the gap between practice and theory.

Concordian Economics, Vol. 1: Tools for Economists and Social Scientists

Posted By: AvaxGenius
Concordian Economics, Vol. 1: Tools for Economists and Social Scientists

Concordian Economics, Vol. 1: Tools for Economists and Social Scientists by Carmine Gorga
English | PDF EPUB (True) | 2023 | 277 Pages | ISBN : 3031473191 | 20.5 MB

This is the first part of a two-volume set on Concordian economics, a new paradigm whose core completes the Aristotelian-Aquinian project of economic justice. The book delves into the history of economics and presents Concordian economics as a response to the concerns and shortcomings of mainstream economics. Demand-side economics is represented in the process of consumption—the expenditure of monetary wealth to acquire real wealth and financial wealth of a different nature. In contrast, supply-side economics is represented in the production process, the process of producing real wealth, e.g. tables, chairs and foodstuffs. Institutionalists will also welcome this book because it ties the world of real wealth to that of monetary wealth through the process of distributing the value of ownership of both monetary and real wealth as they are created.

India’s Contemporary Macroeconomic Themes: Looking Beyond 2020

Posted By: AvaxGenius
India’s Contemporary Macroeconomic Themes: Looking Beyond 2020

India’s Contemporary Macroeconomic Themes: Looking Beyond 2020 by D. K. Srivastava, K. R. Shanmugam
English | PDF EPUB (True) | 2023 | 602 Pages | ISBN : 9819957273 | 48.3 MB

This book extensively examines various contemporary macroeconomic themes of India, namely growth and macro policies, tax reforms, government finances and intergovernmental fiscal transfers, banking and monetary policy, and environment and social sector policies. It has three to six chapters devoted to each of these broad themes, with the contributors being eminent economists from the region. The book serves as an excellent reference for students in economics, finance, and management, and a valuable tool for professionals such as policymakers and investment analysts and other stakeholders in the areas of global economics and finance, in general, and India in particular.

Quantitative Methods in Finance: Exploring the Drivers of Sustainable Economic Growth in the EU

Posted By: AvaxGenius
Quantitative Methods in Finance: Exploring the Drivers of Sustainable Economic Growth in the EU

Quantitative Methods in Finance: Exploring the Drivers of Sustainable Economic Growth in the EU by Ştefan Cristian Gherghina
English | PDF EPUB (True) | 2023 | 225 Pages | ISBN : 3031438639 | 22.4 MB

This book explores certain social and environmental drivers of sustainable economic growth for European Union countries (EU-27) and United Kingdom (UK) in the context of the UN 2030 Agenda for Sustainable Development. The author provides a comprehensive overview of the factors that impact and facilitate sustainable economic growth and discusses the complex set of factors involved in sustainable economic development. Special attention is given to quantitative frameworks and empirical modelling, with the main focus on panel data regression models and vector error correction model approach. Furthermore, the book develops ratings of sustainable economic growth for each of the explored countries, by employing data mining techniques such as principal component analysis. Also, the data envelopment analysis non-parametric methodology towards assessing sustainable economic growth is investigated, as well as the cluster analysis in order to classify the selected nations according to sustainable economic growth. The book appeals to policy-makers and academics targeting to learn more about the characteristics of sustainable economic growth.

Unleashing Society’s Innovative Capacity: An Integrated Policy Framework

Posted By: AvaxGenius
Unleashing Society’s Innovative Capacity: An Integrated Policy Framework

Unleashing Society’s Innovative Capacity: An Integrated Policy Framework by Pontus Braunerhjelm , Magnus Henrekson
English | PDF EPUB (True) | 2023 (2024 Edition) | 201 Pages | ISBN : 3031427556 | 9 MB

Europe faces significant challenges in the coming decades: geopolitical, demographic, technological, increased competition, climate-related, and health issues due to an aging population, to mention a few. Given these challenges, technological progress and new ways of handling complex issues will be key to continued prosperity and growth. To accomplish a growth process driven by innovation and entrepreneurship, the institutional environment must take into account a multitude of different policy areas that interact to either strengthen or weaken an economy's innovative potential. Innovation is not only about R&D and higher education but is also intimately related to entrepreneurship. Similarly, entrepreneurship is not only about low start-up costs and favorable tax rates. Hence, a consistent and coordinated policy environment conducive to innovation and entrepreneurship is required to translate innovation into high-growth firms and macro-level growth.

Financial Crisis, Bank Behaviour and Credit Crunch

Posted By: AvaxGenius
Financial Crisis, Bank Behaviour and Credit Crunch

Financial Crisis, Bank Behaviour and Credit Crunch by Stefania P.S. Rossi, Roberto Malavasi
English | PDF (True) | 198 Pages | ISBN : 3319174126 | 3.7 MB

​This book explores some relevant distortions and market failures in financial and banking markets caused by the recent financial crisis and offers important insights to policymakers as well. After having introduced the reader to the economic background behind the origin of the present financial turmoil, the book proposes a distinct angle to look at some macro and microeconomic aspects. The volume discusses whether and to what extent policies, implemented by governments and monetary authorities to countervail bank defaults and avoid a disastrous financial instability, have in some way determined opportunistic conducts (moral hazard), changes in banks’ behaviour, distortive incentives and market failures. Furthermore, the book offers a viewpoint on the effects of the evolution of regulation for the banking sector. Finally, the book assesses how the increase in the cost of funding and the shrinking in credit supply (credit crunch) has modified the financial structure of small and medium firms. To illustrate this, some specific cases at Italian regional level are examined.

Economic and Financial Crime, Sustainability and Good Governance

Posted By: AvaxGenius
Economic and Financial Crime, Sustainability and Good Governance

Economic and Financial Crime, Sustainability and Good Governance by Monica Violeta Achim
English | PDF EPUB (True) | 2023 | 406 Pages | ISBN : 3031340817 | 26.4 MB

This book addresses the most widespread forms of financial crime today, namely corporate fraud, corruption, tax fraud, the shadow economy, informal entrepreneurship, money laundering, international informal capital flows, cybercrimes, and cryptocurrency scams. Given the rapid rise of digitalization, especially due to the COVID-19 pandemic, there has been a huge surge in financial crime, especially in the form of cybercrime, which affects people’s financial security. Hence, the aim of this book is to stress the connected nature of financial crime and good governance, in order to achieve the most positive, sustainable development of society.

Proceedings of the Second International Forum on Financial Mathematics and Financial Technology

Posted By: AvaxGenius
Proceedings of the Second International Forum on Financial Mathematics and Financial Technology

Proceedings of the Second International Forum on Financial Mathematics and Financial Technology by Zhiyong Zheng
English | PDF EPUB (True) | 2023 | 242 Pages | ISBN : 9819923654 | 27.9 MB

This book is the documentary of the Second International Forum on Financial Mathematics and Financial Technology, with focus on selected aspects of the current and upcoming trends in FinTech. In detail, the included scientific papers cover financial mathematics and FinTech, presenting the innovative mathematical models and state-of-the-art technologies such as deep learning, with the aim to improve the financial analysis and decision-making and enhance the quality of financial services and risk control. The variety of the papers delivers added value for both scholars and practitioners where they will find perfect integration of elegant mathematical models and up-to-date data mining technologies in financial market analysis. Due to COVID-19, the conference was held virtually on August 13–15, 2021, jointly held by the School of Mathematics of Renmin University of China, the Engineering Research Center of Financial Computing and Digital Engineering of Ministry of Education, the Statistics and Big Data Research Institute of Renmin University of China, the Blockchain Research Institute of Renmin University of China, the Zhongguancun Internet Finance Research Institute, and the Renmin University Press.

Fiscal Policy in the Southern European Union Countries: The Aftermath of COVID-19

Posted By: AvaxGenius
Fiscal Policy in the Southern European Union Countries: The Aftermath of COVID-19

Fiscal Policy in the Southern European Union Countries: The Aftermath of COVID-19 by Milan Bednář
English | PDF EPUB (True) | 2023 | 158 Pages | ISBN : 3031297601 | 16.9 MB

This book examines public debt hoarding within the Euro Area, which is one of the most complicated challenges regarding modern fiscal policy-making. The author offers an up-to-date analysis of the fiscal situations of Italy, Spain, Portugal, and Greece. The book describes key mechanisms of debt transmission, discusses the potential establishment of fiscal and debt union in the EU, identifies numerous implications, and connects the fiscal positions of the examined countries with the structural flaws of the Euro Area and the monetary policy of the European Central Bank. Moreover, the work presents an estimation of structural budget balances, including a comparison with the estimates of major international institutions such as the IMF, OECD, and European Commission. A separate chapter is devoted to analysing the fiscal policy determinants, using time series since the late 19th century, and the issue of fiscal policy efficiency. Finally, the work provides an overview of debt resolution options. Overall, this book offers eight core chapters intended for the public, professional economists, and policymakers.

Quantitative Assessment of Securitisation Deals (Repost)

Posted By: AvaxGenius
Quantitative Assessment of Securitisation Deals (Repost)

Quantitative Assessment of Securitisation Deals by Francesca Campolongo , Henrik Jönsson , Wim Schoutens
English | PDF | 2013 | 122 Pages | ISBN : 364229720X | 2.3 MB

The book draws on current research on model risk and parameter sensitivity of securitisation ratings. It provides practical ideas and tools that can facilitate a more informed usage of securitisation ratings. We show how global sensitivity analysis techniques can be used to better analyse and to enhance the understanding of the uncertainties inherent in ratings due to uncertainty in the input parameters. The text introduces a novel global rating approach that takes the uncertainty in the ratings into account when assigning ratings to securitisation products. The book also covers new prepayment and default models that overcome flaws in current models.​